Trend Analysis
Program
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FundTap Luxembourg Finance Fund

In times of poor interest rates and volatile markets, FundTap has identified that a managed fund of personal debt securities can offer low risk investors a high regular income or consistent growth with relative security of capital in comparison to other income generating investments.

With this in mind, we have secured institutional access to the lucrative US personal loan market to be the first non-US fund that individually selects, purchases and/or trades US debt securities.

This is not a pre-pack securitisation vehicle.

Our fund will invest in thousands of loans, each of which is a fully amortised debt obligation of an individual borrower with fixed interest and term. All borrowers will be income verified, credit scored, risk graded and carefully managed to maintain a low default ratio.

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FundTap Luxembourg Trend Fund

is a low cost Fund of Funds that targets substantial capital growth with controlled volatility over the medium to long term by investing up to 2x leverage into a select portfolio of systematic trend following strategies.

The Fund will employ FundTap Analytics Ltd's proprietary Trend Analysis Program (“TAP”), which has been developed after years of real market experience and intensive back tested data analysis.

TAP guides the Fund Manager through the later stages of strategy selection and asset allocation to target the optimum trend of a filtered portfolio of proven, well researched and carefully monitored trend following strategies.

The Fund will invest in the following 7 selected strategies: Transtrend, Altis Partners, Winton Futures, QIM, Caxton Hawke, Tudor Momentum & Rudolf Wolff IQS Performance Fund.

Trading of the underlying strategies is normally fully automated on a 24 hour basis across 150 or more international futures markets such as commodities, interest rates, currencies, stock indices, etc.

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 Key Points

  • Invests in US Consumer Debt
  • First non-US fund with individual loan selection
  • Average borrower is in top 10% of US*
  • Historic default ratio is less than 3%
  • Target net income of 8.5%+ pa
  • Income paid bi-annually
  • Unique asset class
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Key Points

  • Trend Fund of Funds
  • 7 leading systematic trend following strategies
  • Up to 2x leverage
  • Low cost
  • High growth potential
  • Highly diversified
  • Protected against currency fluctuations

* US Census Bureau, 2008

 

 

Please note that you should only base any investment decision on information contained within the Propectus which is available by completing the short online form.